March 20, 2020
I am concerned about the SEC Proposed Rule #S7-24-15 and restrictions it would place upon me and fellow investors by forcing us to go thru a overly burdensome qualification process. This new change may in fact encourage brokerage firms from even offering these funds. I am well aware of the risk in utilizing these funds and do extensive reading of numerous investment materials to manage those risks. I also limit my use of said funds to only a small portion of my investment portfolio. Please reconsider the implementation of this rule as to not hinder my (and my fellow investors) ability to use these funds to balance our portfolios.